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GENERALFUND <br />PUBLIC WORKS ACCOUNTING UNIT <br />PARK MAINTENANCE SERV ENHCMENT 01117651 <br />Account <br />ACTUAL <br />ACTUAL <br />ADOPTED <br />PROPOSED <br />Code LINE ITEM RESOURCES <br />FY 22-23 <br />FY 23-24 <br />FY 24-25 <br />FY 25-26 <br />61000 Salaries Regular <br />886,480 <br />1,014,652 <br />1,169,690 <br />979,190 <br />61010 Salaries Cash Out/Separation <br />19,534 <br />17,872 <br />13,510 <br />0 <br />61020 Salaries Part -Time <br />223,948 <br />253,080 <br />350,310 <br />282,740 <br />61040 Salaries Overtime <br />65,503 <br />66,416 <br />65,000 <br />65,000 <br />61100 Retirement -Employer Normal Cost <br />60,294 <br />82,037 <br />101,540 <br />81,140 <br />61102 Retirement- Employer Unfunded- Miscellaneous <br />0 <br />11,517 <br />0 <br />0 <br />61110 Part -Time Retirement <br />7,701 <br />9,491 <br />13,140 <br />13,070 <br />61120 Medicare Insurance <br />16,158 <br />19,239 <br />21,990 <br />19,210 <br />61130 Health Insurance <br />173,997 <br />179,438 <br />220,480 <br />200,800 <br />61170 Retiree Health Benefits <br />1,215 <br />10,793 <br />11,300 <br />9,450 <br />61180 Worker Compensation Insurance <br />64,900 <br />79,923 <br />53,260 <br />76,640 <br />1,519,730 <br />1,744,459 <br />2,020,220 <br />1,727,240 <br />SUBTOTAL SALARIES & BENEFITS <br />62000 Utilities <br />1,674,569 <br />1,552,093 <br />1,514,100 <br />1,522,700 <br />62010 Communications <br />25,421 <br />31,587 <br />34,700 <br />26,100 <br />62120 Training, Transportation, Meetings <br />9,060 <br />9,938 <br />10,000 <br />10,000 <br />62140 Membership, Subscription & Dues <br />5,152 <br />5,726 <br />5,000 <br />5,000 <br />62251 Other Agency Services <br />64,202 <br />103,956 <br />70,000 <br />70,000 <br />62300 Contract Services -Professional <br />172,739 <br />2,161,150 <br />1,978,300 <br />1,868,300 <br />62320 Maintenance & Repair Buildings <br />6,224,220 <br />5,501,147 <br />4,802,860 <br />5,181,390 <br />8,175,363 <br />9,365,598 <br />8,414,960 <br />8,683,490 <br />SUBTOTAL CONTRACTUALS <br />63001 Miscellaneous Operating Expenses <br />53,443 <br />205,760 <br />200,000 <br />90,000 <br />63200 Operating Materials & Supplies <br />765,577 <br />621,018 <br />775,000 <br />700,000 <br />63300 Gas & Diesel <br />67,470 <br />75,313 <br />70,000 <br />70,000 <br />SUBTOTAL COMMODITIES <br />886,489 <br />902,092 <br />1,045,000 <br />860,000 <br />65000 Building Rental <br />543,870 <br />543,870 <br />611,580 <br />0 <br />65010 Rental City Equipment <br />318,595 <br />313,642 <br />251,610 <br />314,680 <br />65011 Equipment Replacement Charges <br />11,514 <br />31,216 <br />56,340 <br />111,650 <br />65012 Accident Repair & Replacement <br />5,866 <br />6,168 <br />1,730 <br />81,050 <br />65020 City Yard Rental <br />107,560 <br />107,600 <br />142,330 <br />155,460 <br />65040 IT Maintenance Charge <br />61,350 <br />68,260 <br />65,310 <br />73,890 <br />65055 Communications- Landlines <br />0 <br />10,456 <br />9,090 <br />10,140 <br />65100 Insurance Charges <br />194,700 <br />223,000 <br />174,360 <br />253,950 <br />65105 Benefits Overhead <br />11,898 <br />14,019 <br />11,040 <br />17,650 <br />65240 Public Works Administrative Ch <br />0 <br />330,760 <br />435,630 <br />629,210 <br />SUBTOTAL FIXED CHARGES <br />1,255,353 <br />1,648,991 <br />1,759,020 <br />1,647,680 <br />66200 Buildings & Building Improvements <br />0 <br />0 <br />100,000 <br />0 <br />66220 Improvements Other Than Building <br />245,964 <br />1,116,205 <br />0 <br />0 <br />66400 Machinery & Equipment <br />71,139 <br />680,323 <br />0 <br />0 <br />66511 Computer Software Subscriptions <br />114 <br />1,780 <br />500 <br />16,970 <br />SUBTOTAL CAPITAL <br />317,216 <br />1,798,308 <br />100,500 <br />16,970 <br />67003 Loan Payment-OBF <br />56,911 <br />50,100 <br />44,900 <br />35,570 <br />56,911 <br />50,100 <br />44,900 <br />35,570 <br />SUBTOTAL DEBT SERVICE <br />TOTAL <br />12,211,063 <br />15,509,548 <br />13,384,600 <br />12,970,950 <br />338 TABLE OF CONTENTS <br />